Open Access
Issue |
SHS Web Conf.
Volume 74, 2020
The 19th International Scientific Conference Globalization and its Socio-Economic Consequences 2019 – Sustainability in the Global-Knowledge Economy
|
|
---|---|---|
Article Number | 01025 | |
Number of page(s) | 8 | |
Section | Behavioral Economics and Finance | |
DOI | https://doi.org/10.1051/shsconf/20207401025 | |
Published online | 10 January 2020 |
- P. Musílek, Trhy cenných papírů (EkoPress, Praha, 2010) [Google Scholar]
- H. Luong, F. Moshirian, L. Nguyen, X. Tian, BH. Zhang, How do foreign institutional investors enhance firm innovation? Journal of Financial and Quantitative Analysis 52, 1449-1490 (2017) [CrossRef] [Google Scholar]
- H. Kim, K. Park, K. Song, Do long-term institutional investors foster corporate innovation? Accounting and Finance 59, 1163-1195 (2019) [CrossRef] [Google Scholar]
- Z. Qiao, ZH. Li, Do foreign institutional investors enhance firm innovation in China? Applied Economics Letters 26, 1125-1128 (2019) [CrossRef] [Google Scholar]
- P. Aghion, J. Van Reenen, L. Zingales, Innovation and institutional ownership. American Economic Review 103, 277-304 (2013) [CrossRef] [Google Scholar]
- N. Attig, S. Cleary, S. El Ghoul, O. Guedhami, Institutional investment horizons and the cost of equity capital. Financial Management 42, 441-477 (2013) [CrossRef] [Google Scholar]
- E. Elyasiani, J. Jia, CX. Mao, Institutional ownership stability and the cost of debt. Journal of Financial Markets 13, 475-500 (2010) [CrossRef] [Google Scholar]
- E. Spuchľakova, K. Frajtova Michalikova, M. Misankova, Risk of the collective investment and investment portfolio. Procedia Economics and Finance 26, 167-173, (2015) [CrossRef] [Google Scholar]
- W. Qing, Qualification of collective investment vehicles in tax treaties. Proceeding of the 2 nd International Conference on Economics and Social Science 2014, 168-172 (2014) [Google Scholar]
- S. Legenchuk, O. Usatenko, Analysis of management forms of collective investment institutions to organise the accounting system. Economic Annals XXI 156, 112-115 (2016) [Google Scholar]
- J. Šedova, Benefits and risks of new legal forms of collective investment in Czech Republic. Proceeding of the7 th International Scientific Conference Managing and Modelling of Financial Risks VŠB-TU of Ostrava, Faculty of Economics, Finance Department, 762-770 (2014) [Google Scholar]
- D. Pfeiferova, I. Kucharova, M. Ulrich, The systematization of the subjects of collective investment in the Czech Republic after 1. 1. 2014. Proceeding of the 13 th International Scientific Conference on Hradec Economic Days, 398-405 (2015) [Google Scholar]
- Zákon o investičních společnostech a investičních fondech. In: Zákon č. 240/2013 Sb. Ze dne 19.8.2013. Available at : http://business.center.cz/business/pravo/zakony/investicni-spolecnosti-a-fondy (2013) [Google Scholar]
- L. Moravec, G. Kukalová, Investments allocation tax factors in pre-crisis time. Proceedings of the 11 th International Scientific Conference on European Financial Systems 2014, 396-402 (2014) [Google Scholar]
- European Parlament, Directive 2009/65/Ec Ofthe European Parliament and of the Council of 13 July 2009on the coordination of laws, regulations and administrative provisions relating to undertakings for collective investment in transferable securities (UCITS) Available at: http://eurlex.europa.eu/LexUriServ/LexUriServ.do?uri=OJ:L:2009:302:0032:0096:cs:PD (2009) [Google Scholar]
- N. Dimic, V. Orlov, V. Piljak, The political risk factor in emerging, frontier, and developed stock markets. Finance Research Letters 15, 239-245 (2015) [CrossRef] [Google Scholar]
- G. Kukalova, L. Moravec, J. Jecminek, B. Martaskova, Financial crisis influence on tax mix changes. Proceedings of the 15th International Scientific Conference on European Financial Systems 2018, 355-363 (2018) [Google Scholar]
- M. Massa, Y. Wang, H. Zhang. Benchmarking and currency risk. Journal of Financial and Quantitative Analysis 51, 629-654, (2016) [CrossRef] [Google Scholar]
- A. Oehler, A. Hofer, M. Horn, S. Wendt, Do mutual fund ratings provide valuable information for retail investors? Studies In Economics and Finance 35, 137-152 (2018) [CrossRef] [Google Scholar]
- L. Andreu, J.L. Sarto, M. Serrano, Risk shifting consequences depending on manager characteristics. International Review of Economics & Finance 62, 131-152 (2019) [CrossRef] [Google Scholar]
- O. Rejnuš, Finanční trhy.(Grada Publishing, Praha, 2014) [Google Scholar]
- X. Huan, A. Parbonetti, Financial derivatives and bank risk: evidence from eighteen developed markets. Accounting and Business Research, 1-28 (2019) [Google Scholar]
- H. Zhang, Study on application of financial derivatives in interest rate risk management. Proceedings of the 2016 2nd International Conference on Education Technology, Management and Humanities Science, 199-202 (2016) [Google Scholar]
- J. Novotný, Investment in global environment. Proceedings of 16th International Scientific Conference Globalization and Its Socio-Economic Consequences, 1555-1562 (2016) [Google Scholar]
- D. Pfeiferová, Vliv kurzového zajištění na výkonnost fondu kolektivního investování dissertation work (ČZU, Praha, 2015) [Google Scholar]
Current usage metrics show cumulative count of Article Views (full-text article views including HTML views, PDF and ePub downloads, according to the available data) and Abstracts Views on Vision4Press platform.
Data correspond to usage on the plateform after 2015. The current usage metrics is available 48-96 hours after online publication and is updated daily on week days.
Initial download of the metrics may take a while.